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Gulf Oil Lubricants India Limited

GULFOILLUB | NSE

970.90

INR

19.20

2.02%

GULFOILLUB | NSE
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About Gulf Oil Lubricants India Limited

Sector

Basic Materials

Industry

Specialty Chemicals

Earnings date

31/03/2024

As of date

17/04/2026

Close

970.90

Open

957.00

High

978.80

Low

947.70

Gulf Oil Lubricants India Limited manufactures markets and trades lubricants for use in the automobile and industrial sectors in India. The company offers automotive lubricants such as engine oil gear oils greases and specialties for bikes scooters cars light and heavy commercial vehicles and tractors. It also provides hydraulic bearing and circulating industrial gear turbine compressor refrigeration quenching and slideway oils; and metal working fluids rust preventives greases and thermic fluids for use in industrial applications. In addition the company offers two-wheeler batteries; and marine lubricants as well as a range of complementary technical services. It also exports its products primarily to Bangladesh Indonesia Nepal Qatar Africa the Philippines Vietnam Singapore and internationally. The company has a strategic partnership with S-Oil Corporation to manufacture and market lubricants under the S-Oil brand for the Indian market. The company was formerly known as Hinduja Infrastructure Limited and changed its name to Gulf Oil Lubricants India Limited in September 2013. Gulf Oil Lubricants India Limited was incorporated in 2008 and is headquartered in Mumbai India. Gulf Oil Lubricants India Limited is a subsidiary of Gulf Oil International (Mauritius) Inc.

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GULFOILLUB | NSE

Risk
49.8
Sharpe
-0.29
Luna's Score
57/100
Recommendation
Hold

Luna says (GULFOILLUB | NSE)

What's Working

Low 6-Month Volatility (<30%)

Good Dividend Yield (2% <= Dividend Yield <= 8%)

Low Debt to Asset (< 0.2)

Strong Revenue Growth (> 10%)

What's not Working

High Short-term Volatility

Smallcap (300M - 2B USD)

High Market Beta (> 0.8)

Weak Sharpe Ratio (< 0.3)

Volatility Signals

Bullish: Stable Volatility (6-month <= 1-month volatility) is positive for the stock performance.

Risk Meter

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10 days

39.4%

1 month

49.8%

3 months

38.1%

6 months

29.3%

Returns

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Fundamental Ratios

PE

19.73

Fwd. PE

-

Price to book

5.12

Debt to equity

0.28

Debt to assets

0.15

Ent. to EBITDA

12.72

Ent. to rev.

1.88

PEG

-

Other Fundamentals

EBITDA

4.46B

MarketCap

48.33B

MarketCap(USD)

522.06M

Div. yield

2.67

Op. margin

11.23

Erngs. growth

25.40

Rev. growth

10.10

Ret. on equity

24.21

Short ratio

-

Short perc.

-

Market Sentiment (SMA and Price signals)

Short-term: Bullish (SMA10D > SMA1M)

Intermediate-term: Bearish (SMA1M < SMA3M)

Long-term: Bearish (SMA6M < SMA12M)

SMAs: Stock Price Trends

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Range10D

106.80

Range1M

122.00

Range3M

330.30

Volumes: Market Activity

Volume Averages

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Rel. volume

0.53

Price X volume

54.77M

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Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA12.7233.04Cheaper
Ent. to Revenue1.886.32Cheaper
PE Ratio19.7350.17Cheaper
Price to Book5.125.36Par
Dividend Yield2.670.61Leader
Std. Deviation (3M)38.1041.67Par
Debt to Equity0.280.30Par
Debt to Assets0.150.14Par
Market Cap48.33B136.24BEmerging
  • 1

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